Published on: 2026-05-08
Source: Moscow Exchange – Московская Биржа –
An important disclaimer is at the bottom of this article.
To the trading participants
Based on a letter received from the Joint Stock Company “Sberbank KIB”, and in accordance with Part I. General Part of the Rules for Trading on the Stock Market, Depository Market and Credit Market of the Public Joint Stock Company “Moscow Exchange MMVB-RTS”, approved by the decision of the Supervisory Board dated January 23, 2026 (Protocol No. 11), clauses 1.7.2, 1.8.5, 1.8.8, 1.8.10 and 1.8.11 of Part II.The section of the stock market Rules for conducting trading on the stock market, the deposit market, and the credit market of the Public Joint-Stock Company “Moscow Exchange MICEX-RTS”, approved by the decision of the Supervisory Board on January 23, 2026 (Protocol No. 11), establishes the following conditions, times, terms, and procedures for submitting applications with the activation date and concluding transactions with structurally non-documentary non-convertible collateralized bonds of series CIB-CO-947 of the Joint-Stock Company “Sberbank CIB”.
| Name of the Issuer | Joint-stock company “Sberbank CIB” |
| Name of the security | Structured non-documentary bonds series CIB-CO-947 non-convertible with collateral secured interest |
| State registration number of issue | 6-947-01793-A from 17.10.2024 |
| Date of posting | 13 May 2026 |
| Information about placement (Trading mode, placement form) | Trading mode “Placement: Targeted Orders” by concluding deals based on targeted orders at a fixed price (firm price). (Calculations: Rubles ) |
| Preliminary application collection | Activation date: 13.05.2026 Activation time: 10:00 Preliminary application collection schedule:
Application submission during the preliminary collection period is possible in the evening (additional) session.
Applications for purchasing Exchange Bonds during the placement period are submitted with the following mandatory details:
The activation date is the date of commencement of the placement of Exchange bonds (13.05.2026). |
| Trade code | RU000A109V54 |
| ISIN code | RU000A109V54 |
| Calculation code | Z0 |
| Trading time on the date of posting | 13.05.2026 Trading time on the date of placement:
At the same time, submitting applications for concluding deals is not allowed from 17:29 until the information is received from NKO NKTS (JSC) about the completion of processing the report on the consolidated commission of DEPO. |
| Trading hours when placing outside the start date of placement period | From 14.05.2026 Trading time:
At the same time, the submission of applications for concluding transactions is not allowed from 17:29 until information is received from NKO NCC (JSC) about the completion of processing the report on the consolidated DEPOT assignment. |
Based on the issuance documents, the submission of applications and the execution of transactions through Trading Participants, as well as through Clients of Trading Participants, is not allowed if such persons are connected with a foreign state included in the List of foreign states and territories committing unfriendly actions against the Russian Federation, Russian legal entities, and individuals, as approved by the Order of the Government of the Russian Federation dated 05.03.2022.No. 430-r (as amended, effective as of the date of application submission), or be placed under the control of the specified persons, with the exception of controlled foreign companies in accordance with the Decree of the President of the Russian Federation dated 05.03.2022 No. 95 “On the temporary procedure for fulfilling obligations to certain foreign creditors”.
Please note; this information is raw content, obtained directly from the information source. It represents an exact report of what the source claims, and does not necessarily reflect the position of MIL-OSI or its clients.